Issue Brief:
This alert, issued jointly by the Center for Audit Quality (CAQ) and the AICPA, is intended to provide audit firms with an overview of the independence rules of the SEC and PCAOB applicable with respect to financial statement audit and attestation engagements undertaken by certain non-issuers
Published on November 19, 2014

Article:
Two exposure drafts, proposed by PEEC and ARSC, have the potential to make significant changes to the landscape of compilation and review services. Get the information you need to voice your opinion.
Published on June 26, 2014

FAQ:
FAQs about the Financial Accounting Foundation's new Private Company Council and the AICPA’s development of a financial reporting framework for small- and medium-sized entities.
Published on July 23, 2012

Article:
The Stockbrokerage and Investment Banking Expert Panel serves to protect the public interest and serves the needs of AICPA members on financial reporting and audit services for stockbrokerage and investment banking institutions by bringing together knowledgeable parties in this specialized area. This page contains additional information about the panel.
Published on January 29, 2015

Article:
Broker-dealers are guided in their preparation of financial statements primarily by U.S. generally accepted accounting principles, SEC rules and other regulatory bodies. This guide excerpt provides more information on Financial Statement Presentation and Classification.
Published on July 15, 2011